Recent Annual Filings for TXG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $918,636,000 $610,785,000 $788,485,000 $-182,691,000 $6,664,000 $10,914,000 $-15,217,000
2023 $965,143,000 $618,727,000 $867,490,000 $-251,193,000 $-15,197,000 $13,669,000 $131,931,000
2022 $1,028,980,000 $516,409,000 $678,380,000 $-170,357,000 $-33,606,000 $15,817,000 $-368,720,000
2021 $1,018,826,000 $490,490,000 $544,205,000 $-58,151,000 $-21,373,000 $35,297,000 $-92,571,000
2020 $929,341,000 $298,845,000 $833,321,000 $-542,735,000 $-217,898,000 $468,906,000 $212,151,000
2019 $605,923,000 $245,893,000 $276,926,000 $-31,260,000 $34,627,000 $414,590,000 $406,405,000